adhering to and being an ambassador for the investment philosophy and process of abrdn and its FI team. • performing bond market analysis to formulate the interest rate and credit strategies for Chinese bond portfolios and allocations to the Chinese market in regional and global portfolios • performing proprietary and insightful credit analysis of corporate issuers in China for both onshore and offshore strategies (and not limited to RMB denominated credit strategies). The fundamental credit research (for use in Chinese and regional/global portfolios) is focused on quantitative, qualitative factors including a consideration of ESG factors consistent with the abrdn credit process. • recommending and implementing potential investment strategies based upon fundamental analysis and complemented by a robust understanding of the relative value and broader market dynamics (such as liquidity) that are relevant for the Chinese fixed income/Asian fixed income/Emerging Market Debt and other global portfolios. • co-managing the Chinese domiciled fixed income portfolios • co-advisor for offshore domiciled portfolios (as appropriate). • performance on a risk adjusted basis (consistent with objectives and guidelines) for both the onshore domicile portfolios and the models used for the offshore portfolios and allocations. 2 • contributing to the development, implementation of the product development and asset gathering initiatives in China for both the domestic business and broader abrdn franchise. • contributing to the development, implementation of the product development and asset gathering initiatives globally for Chinese strategies. • demonstrated credit research skills with investment management/portfolio construction experience.